SI
SI
discoversearch

We've detected that you're using an ad content blocking browser plug-in or feature. Ads provide a critical source of revenue to the continued operation of Silicon Investor.  We ask that you disable ad blocking while on Silicon Investor in the best interests of our community.  If you are not using an ad blocker but are still receiving this message, make sure your browser's tracking protection is set to the 'standard' level.
Strategies & Market Trends : Dividend investing for retirement

 Public ReplyPrvt ReplyMark as Last ReadFilePrevious 10Next 10PreviousNext  
Recommended by:
JimisJim
To: Steve Felix who wrote (23696)11/3/2015 8:49:44 PM
From: Steve Felix1 Recommendation   of 34328
 
Monthly update: Oil started out the month hot, but ended cold again. May as well get used to waiting.

DVK: sensiblestocks.com

...............Current Value Prior Value Period Change %Change Estimated Income Estimated Yield

Sept. Totals.. $301,944.55.. $314,855.88.. ($12,911.33)... (4.1)%.. $18,439.65.. 6.1%
Oct. Totals... $318,330.91.. $301,944.55.. $16,386.36..... 5.4%.... $18,571.27.. 5.8%

Since Jan. 1, 2015:

Nasdaq 4727 to 5054 =................ 6.9%
DVK SS $81,250 to $82,291 =...... 1.28%
S+P 500 2058 to 2079 =.............. 1.02%%
Dow 17833 to 17,664 = ................ -.94%
My IRA $344,503 to $318,330 = .. -7.8%
BRK.A $223,600 to $204,596 =...... -8.5%

Since inception Jan. 1, 2010:

Nasdaq 2269 to = 5054 ............. +127.44% (includes total 4.70 yield for 2010 thru 2014 )
BRK.A 99,200 = to $204,596= ...+106.24%
DVK SS $41,706 to $82,291 =... +97.31%
S+P 500 1115 to 2079 =............ +95.64% (includes total 9.19 yield for 2010 thru 2014 )
Dow 10428 to = 17,664 ...............+80.84% (includes total 11.45 yield for 2010 thru 2014 )
My IRA $178,517 to $318,330 = +78.32%

Bottom line, estimated income:

End Jan. 2010 $11,134
End Dec. 2010 $13,160
End Dec 2011 $14,836
End Dec. 2012 $17,371
End Dec. 2013 $18,563
End Dec. 2014 $22,093
End Oct. 2015. $18,571

Oct. dividends: $1,199.34

Actual dividends received:
2010 total $12,317
2011 total $14,160
2012 total: $16,497
2013 total: $19,421
2014 total: $20,564
2015 total: $16,098

Dividends:

10/30/2015 01:24:12 QUALIFIED DIVIDEND (OGE) 68.75 ---
10/30/2015 01:20:31 QUALIFIED DIVIDEND (BGS) 59.50 ---
10/30/2015 01:19:14 ORDINARY DIVIDEND (LTC) 54.00 ---
10/30/2015 01:18:44 ORDINARY DIVIDEND (UTG) 15.13 ---
10/23/2015 01:07:50 QUALIFIED DIVIDEND (AMNF) 19.00 ---
10/16/2015 01:47:08 PARTNERSHIP DISTRIBUTION (BBEP) 16.66 ---
10/15/2015 00:00:01 ORDINARY DIVIDEND (MPW) 319.00 ---
10/15/2015 00:00:01 QUALIFIED DIVIDEND (OXY) 189.00 ---
10/15/2015 00:00:01 ORDINARY DIVIDEND (O) 76.20 ---
10/14/2015 00:00:01 QUALIFIED DIVIDEND (PM) 229.50 ---
10/09/2015 00:00:01 QUALIFIED DIVIDEND (MO) 113.00 ---
10/01/2015 02:19:42 QUALIFIED DIVIDEND (KO) 39.60

Trades:

10/22/2015 13:57:48 Bought 43 MPLX @ 35.75 -1,545.25 ---
10/22/2015 13:47:50 Sold 400 BBEP @ 2.4401 968.02 ---
10/15/2015 11:04:42 Bought 120 MPLX @ 39.01 -4,689.20 ---
10/02/2015 15:46:29 Sold 45 PG @ 72.26 3,243.64 ---
10/02/2015 14:40:46 Sold 24 SOUHY @ 4.72 105.27 ---

2015 trading costs $976

Holdings - cash $517 Not listing "other" holdings: SDRL and KMI+.

Symbol

Company Name

# of shares held

Annual Dividend Per Share

Total Dividend

AMLP

Alerian MLP ETF

200

1.19

238

AMNF

Armanino Foods of Distinction

1,000

0.076

76

BBL

BHP Billiton PLC

60

2.48

148

BGS

B&G Foods Inc.

170

1.40

238

CCP

Capital Care Properties

360

2.28

820

CLMT

Calumet Specialty Products Partners LP

574

2.74

1572

CVX

Chevron Corporation

192

4.28

822

GIS

General Mills, Inc.

43

1.64

71

HP

Helmerich & Payne, Inc.

55

2.75

151

JNJ

Johnson & Johnson

90

3.00

270

KO

Coca Cola

120

1.32

158

KMI

Kinder Morgan, Inc.

1,000

2.04

2040

LTC

LTC Properties Inc

300

2.16

648

MO

Altria Group Inc.

200

2.08

416

MPLX

MPLX LP

163

1.88

306

MPW

Medical Properties Trust Inc.

1,450

0.88

1276

NRF

NorthStar Realty Corp.

446

1.60

714

O

Realty Income Corp.

400

2.286

914

OGE

OGE Energy Corp

250

1.10

275

OHI

Omega Healthcare Investors Inc

88

2.24

197

OXY

Occidental Petroleum Corporation

252

3.00

756

PM

Phillip Morris Company

225

4.08

918

SO

Southern Company

88

2.10

190

SPAN

Span-America Medical Systems Inc

145

0.64

92

STR

Questar Corporation

150

0.84

126

T

AT&T, Inc.

250

1.88

470

TIS

Orchids Paper Products Company

200

1.40

280

UTG

Reaves Utility Income F

100

1.815

182

VGR

Vector Group Ltd.

472

1.60

755

VTR

Ventas, Inc.

350

2.92

1022

VZ

Verizon

250

2.26

565

WMB

Williams Companies Inc

235

1.98

465

WPZ

Williams Partners L.P.

360

3.40

1224

Total

Starting port. value 01/01/2010 = $178,518



YOC 10.303%

18,394

Report TOU ViolationShare This Post
 Public ReplyPrvt ReplyMark as Last ReadFilePrevious 10Next 10PreviousNext